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Variable selection and corporate bankruptcy forecasts. (2015). Guo, Hui ; Yu, Yan ; Tian, Shaonan.
In: Journal of Banking & Finance.
RePEc:eee:jbfina:v:52:y:2015:i:c:p:89-100.

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  1. ?????? ??????????? ??????????? ???????? ?????????????? ?????????????? ? ?????? ?????????????????? ???????????. (2022). Bekirova, Olga A ; Zubarev, Andrey V.
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  2. Estimating the Bankruptcy Probability of Manufacturing Companies Considering Macroeconomic Conditions. (2022). Zubarev, Andrey V ; Bekirova, Olga A.
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  3. Default Prediction for Housing and Utilities Management Firms Using Non-Financial Data. (2022). Tarasova, Yulia A ; Afanasev, Vladislav V.
    In: Finansovyj žhurnal — Financial Journal.
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  4. Using Market Indicators to Refine Estimates of Corporate Bankruptcy Probabilities. (2022). Leonteva, Daria S.
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  5. Financial Auditing During Crisis: Assessing and Reporting Fraud and Going Concern Risk in Lebanon. (2022). Metcalfe, Beverly Dawn ; Najem, Reine ; Feghali, Khalil.
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  6. Bank Acquisitiveness and Financial Crisis Vulnerability. (2016). Lilti, Jean-Jacques ; Dowling, Michael ; Saqib, Aziz .
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  7. Bank Acquisitiveness and Financial Crisis Vulnerability. (2016). Lilti, Jean-Jacques ; Dowling, Michael ; Aziz, Saqib.
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  8. Double bank runs and liquidity risk management. (2015). Sette, Enrico ; Peydro, Jose-Luis ; Ippolito, Filippo ; Polo, Andrea .
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  9. Do strong corporate governance firms still require political connection, and vice versa?. (2015). Shen, Chung-Hua ; Wang, Yu-Chun ; Lin, Chih-Yung.
    In: International Review of Economics & Finance.
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  10. The effects and applicability of financial media reports on corporate default ratings. (2015). Chang, Tsang-Yao ; Wei, Yu-Chen ; Lu, Yang-Cheng.
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  11. Corporate governance characteristics and default prediction modeling for small enterprises. An empirical analysis of Italian firms. (2015). Ciampi, Francesco .
    In: Journal of Business Research.
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  12. Financial distress, outside directors and corporate tax aggressiveness spanning the global financial crisis: An empirical analysis. (2015). Taylor, Grantley ; Lanis, Roman ; Richardson, Grant.
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  13. Explaining the default risk anomaly by the two-beta model. (2015). Lin, Che-Hui ; Wang, Kai-Li ; Hsu, Junming ; Yeh, Chung-Ying .
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  14. How much is too much? Debt capacity and financial flexibility. (2014). Hess, Dieter ; Immenkotter, Philipp .
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  15. Soft Information and Default Prediction in Cooperative and Social Banks. (2014). CORNEE, Simon.
    In: Economics Working Paper Archive (University of Rennes 1 & University of Caen).
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  16. Modèle d’alerte des crises bancaires basé sur une approche bayésienne. (2014). Zaghdoudi, Taha.
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  17. Forecasting Distress in European SME Portfolios. (2014). Michala, Dimitra ; Grammatikos, Theoharry ; Filipe, Sara Ferreira.
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  18. Pricing Default Risk: The Good, The Bad, and The Anomaly. (2014). Michala, Dimitra ; Grammatikos, Theoharry ; Filipe, Sara Ferreira.
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  19. Forecasting New Zealand Corporate Failures 2001–10: Opportunity Lost?. (2014). Peursem, Karen ; Chan, Yi Chiann .
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  20. The Behaviour of Earnings, Accruals and Impairment Losses of Failed New Zealand Finance Companies. (2014). Laswad, Fawzi ; Kabir, Humayun M..
    In: Australian Accounting Review.
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  21. Analyzing the role of mutual guarantee societies on bank capital requirements for small and medium-sized enterprises. (2013). Trujillo-Ponce, Antonio ; Briozzo, Anahi ; Cardone-Riportella, Clara .
    In: Journal of Economic Policy Reform.
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  22. Modeling reasons for Russian bank license withdrawal: Unaccounted factors. (2013). Peresetsky, Anatoly.
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  23. La muestra de empresas en los modelos de predicción del fracaso: influencia en los resultados de clasificación || The Sample of Firms in Business Failure Prediction Models: Influence on Classificati. (2013). Garcia-Gallego, Ana ; Mures-Quintana, Maria-Jesus .
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  24. CORPORATE FINANCIAL DISTRESS AND BANKRUPTCY: A COMPARATIVE ANALYSIS IN FRANCE, ITALY AND SPAIN. (2013). Restaino, Marialuisa ; Amendola, Alessandra ; Sensini, Luca .
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  25. Predicting the Past: Understanding the Causes of Bank Distress in the Netherlands in the 1920s. (2013). Colvin, Christopher ; de Jong, Abe ; Fliers, Philip T..
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  26. Paraconsistent and fuzzy logic applied to company profitability analysis. (2013). Santos, Andre ; Andre A. P. Santos, ; Dill, Rodrigo P. ; da Costa, Newton.
    In: Economics Bulletin.
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  27. What has been the impact of the 2008 crisis on firms’ default? (in French).. (2013). Kremp, Elisabeth ; Horny, Guillaume ; FOUGERE, DENIS ; Golfier, C..
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  28. ABOUT POSSIBILITY OF USAGE METHODOLOGICAL APPROACHES TO BANKRUPTCY PREDICTION. (2013). Druzin, Ruslan .
    In: Studies and Scientific Researches. Economics Edition.
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  29. Scaling of Growth Rate Volatility for Six Macroeconomic Variables. (2012). Podobnik, Boris ; Njavro, Mato ; Stanley, Eugene H. ; Horvatic, Davor .
    In: Contemporary Economics.
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  30. Equity-Holding Institutional Lenders: Do they Receive Better Terms?. (2012). Weisbach, Michael ; Minton, Bernadette A. ; Lim, Jongha.
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  31. Do private equity owners increase risk of financial distress and bankruptcy?. (2012). Tykvova, Tereza ; Borell, Mariela .
    In: Journal of Corporate Finance.
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  32. Your Governance or Mine?. (2011). Ferguson, Andrew ; Scott, Tom ; Kean, Stephen ; Grosse, Matthew .
    In: Australian Accounting Review.
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  33. Determinants of Financial Ratio Disclosure Patterns of Australian Listed Extractive Companies. (2011). Taylor, Grantley ; Tower, Greg .
    In: Australian Accounting Review.
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  34. Predicting the Failure of Developmental Gold Mining Projects. (2011). Ferguson, Andrew ; Kean, Stephen ; Clinch, Greg.
    In: Australian Accounting Review.
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  35. An option theoretic model for ultimate loss-given-default with systematic recovery risk and stochastic returns on defaulted debt. (2011). Jacobs, Jr Michael .
    In: BIS Papers chapters.
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  36. Financial restatements and corporate governance among Malaysian listed companies. (2010). Mohamad Naimi Mohamad Nor, ; Abdullah, Shamsul Nahar ; Nor Zalina Mohamad Yusof, .
    In: Managerial Auditing Journal.
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  37. Working capital, profitability, liquidity and solvency of healthcare insurance companies. (2010). Andre Luiz de Souza Guimarães, ; Nossa, Valcemiro .
    In: Brazilian Business Review.
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  38. The Value Relevance of Earnings and Nonearnings Information in Regulated and Deregulated Markets: The Case of the Airline Industry. (2009). Tang, Charles ; Finn, Philip ; El-Gazzar, Samir.
    In: International Advances in Economic Research.
    RePEc:kap:iaecre:v:15:y:2009:i:1:p:88-101:10.1007/s11294-008-9196-1.

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  39. Transitional Progress and Business Challenges. (2008). Foo, Jennifer ; Witkowska, Dorota.
    In: International Advances in Economic Research.
    RePEc:kap:iaecre:v:14:y:2008:i:2:p:215-227:10.1007/s11294-008-9136-0.

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  40. Fraudulent financial reporting detection and business failure prediction models: a comparison. (2008). Liou, Fen-May .
    In: Managerial Auditing Journal.
    RePEc:eme:majpps:v:23:y:2008:i:7:p:650-662.

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  41. Going concern modifications, CPA firm size, and the Enron effect. (2008). Nogler, George E..
    In: Managerial Auditing Journal.
    RePEc:eme:majpps:v:23:y:2008:i:1:p:51-67.

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  42. Multiclass Corporate Failure Prediction by Adaboost.M1. (2007). Rubio, Noelia Garcia ; Martinez, Matias Gamez ; Cortes, Esteban Alfaro .
    In: International Advances in Economic Research.
    RePEc:kap:iaecre:v:13:y:2007:i:3:p:301-312:10.1007/s11294-007-9090-2.

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  43. Fundamentals-Based Estimation of Default Probabilities - A Survey. (2006). Chan-Lau, Jorge A.
    In: IMF Working Papers.
    RePEc:imf:imfwpa:2006/149.

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  44. Financial distress of companies in Poland. (2004). Gruszczyński, Marek ; Gruszczynski, Marek .
    In: International Advances in Economic Research.
    RePEc:kap:iaecre:v:10:y:2004:i:4:p:249-256:10.1007/bf02295137.

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  45. Binary choice models and corporate takeover. (2003). Espahbodi, Hassan .
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:27:y:2003:i:4:p:549-574.

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  46. Bankruptcy risk and productive efficiency in manufacturing firms. (2003). Becchetti, Leonardo ; Sierra, Jaime.
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:27:y:2003:i:11:p:2099-2120.

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  47. SIMULTANEOUS DETERMINATION OF INVENTORIES AND ACCOUNTS RECEIVABLE. (2002). Mehar, Muhammad.
    In: MPRA Paper.
    RePEc:pra:mprapa:361.

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  48. A simulation model of corporate finances: A study of the companies listed on Karachi stock exchange. (2001). Mehar, Muhammad.
    In: MPRA Paper.
    RePEc:pra:mprapa:443.

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  49. Exploring the Seeds of Organisational Decline. (1996). Adler, Ralph W..
    In: Australian Accounting Review.
    RePEc:bla:ausact:v:6:y:1996:i:12:p:24-36.

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  50. Predicting Corporate Failure Using Publicly Available Information. (1994). Woodliff, David R. ; Constable, Jason J..
    In: Australian Accounting Review.
    RePEc:bla:ausact:v:4:y:1994:i:7:p:13-27.

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